Key Responsibilities: Prepare balance sheet reconciliations. Use Emburse and Elite 3E systems effectively. Support the Tax Enquiry Fee Protection (TEFP) process, including identifying and implementing process improvements. Complete the monthly TEFP bank reconciliation. Prepare and post monthly journals, ensuring appropriate…
This role will suit someone who enjoys a broad advisory brief and wants exposure across debt advisory, equity advisory and special situations. The client works with investors, developers, operators, lenders and public sector bodies across living, office, industrial, retail, hotels…
The Role: This position leads the firm's Financial Control and Partnership Accounting functions, with direct line management responsibility for a dedicated team. The Partnership Accounting remit covers the day to day management of all partner related financial matters, including current…
You will be responsible for the accurate maintenance of partner financial data, including current and capital accounts, the firm's profit allocation model, and the partner database. In addition, you will drive continuous improvement in financial processes and controls to support…
In this role, you will manage a small team and oversee all aspects of the firm's partner accounting activities, including the management of partner current and capital accounts, maintenance of the partner database, and administration of the profit allocation model.…